S&P cooling off after three 20%+ years - what's your 2025 strategy?
After three straight years of 20%+ returns, markets have been drifting down since that strong December finish. Been watching my portfolio daily, currently sitting at:
- 60% VOO
- 25% QQQ
- 15% Cash (includes emergency fund)
Up 1.21% today but still watching for better entry points to deploy some of that cash position. Some individual names are starting to look interesting after the recent pullback.
What's everyone's strategy for 2025? Adding on dips, staying the course, or taking profits after the three-year run?